Home / Dz.U. 1998 nr 163 poz. 1158
Regulation of the Council of Ministers of 22 December 1998 on determining the scope, procedure, form, and deadlines for submitting information regarding the activities and financial situation of brokerage houses and banks conducting brokerage activities and banks keeping securities accounts.
Rozporządzenie Rady Ministrów z dnia 22 grudnia 1998 r. w sprawie określenia zakresu, trybu, formy oraz terminów dostarczania informacji dotyczących działalności i sytuacji finansowej domów maklerskich oraz banków prowadzących działalność maklerską i banków prowadzących rachunki papierów wartościowych.
Type
Regulation (Rozporządzenie)
Status
repealed (uchylony)
Announced
1998-12-22
Entry into force
1999-01-01
Texts
Keywords
Financial EconomyBrokersStock Exchangessecuritiesbankiprawo bankowe
Related acts
Repealing Acts (1)
Repealed Acts (2)
- Order of the Chairman of the Securities and Exchange Commission of 28 April 1997 amending the order on the scope and deadlines for providing information on its activities and financial situation by an entity conducting brokerage business. · 1999-01-01
- Order of the Chairman of the Securities and Exchange Commission of July 7, 1994, concerning the scope and deadlines for providing information by an entity conducting brokerage business regarding its activities and financial situation. · 1999-01-01
References (2)
- Regulation of the Council of Ministers of 22 December 1998 on determining the minimum amount of own funds intended for a bank to conduct brokerage activities and securities accounts.
- Regulation of the Council of Ministers of 22 December 1998 on determining the minimum amount of own funds of a brokerage house and the maximum amount of loans, borrowings and issued debt securities in relation to own funds.
Legal Basis from Art. (1)
- Law of August 21, 1997 – Law on Public Trading in Securities. · art. 60 ust. 1 pkt 4
Acts referring to this act
- Repealing Acts: Order of the Chairman of the Securities and Exchange Commission of 28 April 1997 amending the order on the scope and deadlines for providing information on its activities and financial situation by an entity conducting brokerage business.
- Repealing Acts: Order of the Chairman of the Securities and Exchange Commission of July 7, 1994, concerning the scope and deadlines for providing information by an entity conducting brokerage business regarding its activities and financial situation.
- Repealed Acts: Regulation of the Council of Ministers of January 22, 2002, on the scope, procedure, form, and deadlines for submitting information by certain entities conducting brokerage activities and securities accounts.
- Implementing Regulations: Law of August 21, 1997 – Law on Public Trading in Securities.
- Amended Acts: Regulation of the Council of Ministers of December 21, 1999, amending the regulation on the determination of the scope, procedure, form, and deadlines for providing information regarding the activities and financial situation of brokerage houses, banks conducting brokerage activities, and banks maintaining securities accounts.